2024. 03. 19. | Teljes munkaidõ | Budapest | Wizz AirPurpose of the positionThe Treasury Manager reports to the Head of Treasury and Investor Relations and is overall responsible for coordinating cash management and payments as well as risk management related tasks. #LI-RN2 What we offer Base salary and employee bonus scheme Unlimited number
Nézze később2024. 03. 19. | Teljes munkaidõ | Budapest | Randstad HungaryTheir extensively growing team. Job description perform assigned RTR accounting activities, including Fixed Assets, Cash and Bank, Intercompany, period closing, reconciliations, reporting, deliver assigned tasks as per scheduled timeline, participate in process-transition, prepare and update process descriptions
Nézze később2024. 03. 19. | Teljes munkaidõ | Budapest | SerendiThe firm had revenue of $8.8 billion across core services of property, facilities and project management, leasing, capital markets, valuation, and other services. To learn more, visit or follow @CushWake on nt AccountantRole summaryComplete all financial reports
Nézze később2024. 03. 19. | Teljes munkaidõ | Budapest | ZEISS GroupTo-end processes order-to-cash, procure-to-pay, engineer-to-order/ idea-to-market, service-to-customer, plan-to-procure, inbound-to-outbound, record-to-report or master data lly you are a certified SAP consultant of one or more modules You have knowledge in the creation of training plans
Nézze később2024. 03. 19. | Teljes munkaidõ | Chart IndustriesNeeded) from project managers Raising invoices and credit notes on a daily basis Sending out invoices and credit notes to customers Solving invoicing related issues Stakeholder management project managers in LBU and Collection team SSC Tracking all billing activity in invoice report, commenting status
Nézze később2024. 03. 19. | Teljes munkaidõ | Pest | Kelly ServicesSolving skills. The 3rd Party Settlements Team is responsible for managing operational cash and working capital on behalf of T&S (c70% of BP's turnover is managed through the T&S 3rd Party Teams). The team produces a daily cash funding forecast for Treasury Management onsibilitesOversee full
Nézze később2024. 03. 19. | Teljes munkaidõ | Budapest | InPostOperations. Imagine being part of a team where millions of returns and transactions are managed weekly, where every action you take directly impacts the success of our operations. If you're seeking a role that offers both challenge and excitement, look no further. Join us and become a key player in our
Nézze később2024. 03. 19. | Teljes munkaidõ | Budaörs | RandstadTreasury tapasztalattal bővülő íció leírása - Job descriptiona pénzügyi vezető munkájának támogatásaaz importőri cégcsoport cash flow menedzsmentjének megszervezése, működtetésecash flow tervezés, várhatózás és elemzés,az order-to-cash/működőtőke folyamat mérésének kialakítása, javaslattétel
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